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Volatility Smart Depot

Last Login: 03/05/2026


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-8.0%
since 12/26/2024

-7.3%
Ø-Perf. per year

-8.8%
Performance (1yr)

7.9%
Volatility (1yr)

-1.0
Return/Risk



Portfolio chart

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Trading Idea

Handelsidee: Die Strategie basiert auf der Analyse des CBOE Volatility Index (VIX) Futures und des S&P 500 Index. Als Handelsinstrument wird ein spezialisierter Exchange Traded Fund (ETF) auf den CBOE VIX verwendet. In längeren Phasen steigender Aktienmärkte wird der ETF möglichst günstig akkumuliert. In kurzen Phasen fallender Aktienmärkte und stark steigender Volatilität wird der ETF verkauft. Risiko- und Money-Management: Manuelle Ordererteilung, keine Stop-Loss-Orders.

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Master data

Symbol

WFVIXSMART

Date created

12/26/2024

Index level

-

High watermark

91.3

Investment Universe

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For the composition of the virtual portfolio click here.